Master Data Setup for SEPA
To set up SEPA functionality in LN refer to the following:
- Specify additional settings in Common and Finance/Logistics (direct debit only)
 - Create an XML layout 
- View an XML layout and version status
 - Maintaining XML tags
 - Exporting and importing XML layouts
 
 - Maintain mapping elements
 - Modify payment method
 - Create direct debit mandates (optional)
 
Note: If you use the Enterprise Modeler Content Pack with LN, consider using the MFI5300 (SEPA [EU]) wizard to set up SEPA. You can execute this predefined wizard from the
               Wizards by Project Model (tgwzr4502m000) session after you specified the business function
               model for your company.